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Derivatives and risk management / Jayanth Rama Varma

By: Material type: TextTextPublication details: McGraw Hill New Delhi 2010Description: 396p. 24cmISBN:
  • 9780070604308 (pbk)
Subject(s): DDC classification:
  • 332.645 VAR
Summary: This text takes a modern approach to the subject, discusses the traditional as well as emerging models,focuses on intuitive analysis but not at the expense of essential math, and gives a succinct appraisal of the derivatives environment in India and the world. The author takes Risk Neutral Valuation as the central theme of the book. As a future fund and investment manager, the MBA Finance student must have a good idea of the risks which his or her firm would be exposed to and how to use derivatives creatively and analytically to mitigate that risk. Salient Features
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Item type Current library Collection Call number Status Date due Barcode
Books Books H.T. Parekh Library GSB Collection 332.645 VAR (Browse shelf(Opens below)) In transit from H.T. Parekh Library to H.T. Parekh Library since 04/10/2024 40613

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This text takes a modern approach to the subject, discusses the traditional as well as emerging models,focuses on intuitive analysis but not at the expense of essential math, and gives a succinct appraisal of the derivatives environment in India and the world. The author takes Risk Neutral Valuation as the central theme of the book. As a future fund and investment manager, the MBA Finance student must have a good idea of the risks which his or her firm would be exposed to and how to use derivatives creatively and analytically to mitigate that risk.
Salient Features

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